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Vistry Group PLC

Transaction in Own Shares Jun 6, 2024

4771_rns_2024-06-06_c74950fc-fa95-4169-bc89-02654ca4c8c5.html

Transaction in Own Shares

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National Storage Mechanism | Additional information

RNS Number : 3048R

Vistry Group PLC

06 June 2024

06 June 2024

Vistry Group PLC

Transaction in own shares

Vistry Group PLC (the "Company"), announces that, in accordance with the terms of its share buyback programme announced on 18 April 2024 ("Share Buyback Programme"), the Company purchased the following number of its Ordinary 50p Shares ("Ordinary Shares") through HSBC Bank plc ("HSBC").

Date of purchase: 05/06/2024
Aggregate number of Ordinary Shares purchased: 30,850
Lowest price paid per share (GBp): 1276.00
Highest price paid per share (GBp): 1312.00
Volume weighted average price paid per share (GBp): 1294.8200

The purchased shares will be cancelled, following which the remaining number of Ordinary Shares in issue will be 338,311,843 with 679,676 shares held in Treasury. Therefore, the total voting rights in the Company will be 337,632,167. This figure for the total number of voting rights may be used by shareholders (and others with notification obligations) as the denominator for the calculations by which they will determine if they are required to notify their interest in, or a change to their interest in, the Company under the FCA's Disclosure Guidance and Transparency Rules.    

In accordance with Article 5(1)(b) of Regulation (EU) No 596/2014 (the Market Abuse Regulation), as it forms part of Retained EU Law as defined in the European Union (Withdrawal) Act 2018, the table below contains detailed information of the individual trades made by HSBC as part of the Share Buyback Programme.

Individual transactions:

Number of ordinary shares purchased Transaction price (GBp share) Time of transaction (UK Time) Transaction reference number Trading venue
250 1303.00 08:02:49 01073067844TRLO1 XLON
2750 1303.00 08:02:49 01073067845TRLO1 XLON
259 1303.00 08:02:49 01073067847TRLO1 XLON
270 1303.00 08:02:49 01073067848TRLO1 XLON
266 1305.00 08:08:58 01073074142TRLO1 XLON
175 1305.00 08:08:58 01073074143TRLO1 XLON
74 1305.00 08:08:58 01073074144TRLO1 XLON
8 1305.00 08:08:58 01073074145TRLO1 XLON
420 1305.00 08:11:59 01073077289TRLO1 XLON
409 1305.00 08:11:59 01073077290TRLO1 XLON
274 1305.00 08:14:42 01073078767TRLO1 XLON
256 1305.00 08:14:42 01073078768TRLO1 XLON
154 1310.00 08:26:43 01073086416TRLO1 XLON
108 1310.00 08:26:43 01073086418TRLO1 XLON
6 1312.00 08:39:29 01073095471TRLO1 XLON
275 1312.00 08:39:29 01073095472TRLO1 XLON
270 1304.00 08:54:33 01073102470TRLO1 XLON
4 1304.00 08:54:33 01073102471TRLO1 XLON
177 1304.00 08:54:33 01073102472TRLO1 XLON
91 1304.00 08:56:55 01073103551TRLO1 XLON
52 1305.00 09:04:00 01073106911TRLO1 XLON
210 1305.00 09:04:00 01073106912TRLO1 XLON
14 1305.00 09:04:00 01073106913TRLO1 XLON
272 1306.00 09:15:58 01073112407TRLO1 XLON
269 1306.00 09:15:58 01073112408TRLO1 XLON
6 1305.00 09:50:05 01073124835TRLO1 XLON
272 1305.00 09:50:05 01073124836TRLO1 XLON
273 1305.00 09:50:05 01073124837TRLO1 XLON
257 1303.00 09:50:22 01073124890TRLO1 XLON
263 1303.00 09:50:22 01073124891TRLO1 XLON
277 1303.00 09:55:37 01073126268TRLO1 XLON
263 1303.00 10:06:00 01073129362TRLO1 XLON
164 1302.00 10:12:04 01073131585TRLO1 XLON
116 1302.00 10:12:04 01073131586TRLO1 XLON
266 1302.00 10:12:04 01073131587TRLO1 XLON
269 1302.00 10:16:10 01073133193TRLO1 XLON
271 1302.00 10:16:10 01073133194TRLO1 XLON
261 1299.00 10:18:03 01073134104TRLO1 XLON
260 1299.00 10:24:48 01073136943TRLO1 XLON
272 1298.00 10:40:56 01073143712TRLO1 XLON
267 1298.00 10:40:56 01073143713TRLO1 XLON
283 1297.00 10:55:05 01073149894TRLO1 XLON
275 1297.00 10:55:05 01073149895TRLO1 XLON
200 1297.00 11:03:00 01073153321TRLO1 XLON
56 1297.00 11:03:00 01073153322TRLO1 XLON
274 1297.00 11:03:00 01073153323TRLO1 XLON
279 1298.00 11:12:17 01073156857TRLO1 XLON
282 1298.00 11:12:17 01073156858TRLO1 XLON
260 1301.00 11:22:06 01073161137TRLO1 XLON
70 1299.00 11:23:58 01073161804TRLO1 XLON
201 1299.00 11:23:58 01073161805TRLO1 XLON
265 1300.00 11:42:11 01073167861TRLO1 XLON
272 1300.00 11:42:11 01073167862TRLO1 XLON
269 1299.00 11:42:53 01073168056TRLO1 XLON
270 1299.00 11:42:53 01073168057TRLO1 XLON
263 1298.00 11:42:53 01073168060TRLO1 XLON
265 1295.00 11:49:55 01073170382TRLO1 XLON
280 1297.00 12:02:00 01073174182TRLO1 XLON
258 1298.00 12:04:50 01073175237TRLO1 XLON
279 1298.00 12:04:50 01073175238TRLO1 XLON
261 1297.00 12:04:56 01073175260TRLO1 XLON
272 1297.00 12:04:56 01073175261TRLO1 XLON
272 1297.00 12:04:56 01073175262TRLO1 XLON
178 1297.00 12:06:31 01073175924TRLO1 XLON
91 1297.00 12:06:31 01073175925TRLO1 XLON
199 1296.00 12:21:02 01073180527TRLO1 XLON
73 1296.00 12:21:02 01073180528TRLO1 XLON
263 1296.00 12:21:02 01073180529TRLO1 XLON
264 1295.00 12:21:10 01073180558TRLO1 XLON
269 1294.00 12:28:13 01073182559TRLO1 XLON
264 1295.00 12:31:01 01073183517TRLO1 XLON
278 1293.00 12:57:30 01073191418TRLO1 XLON
260 1293.00 12:57:30 01073191419TRLO1 XLON
260 1291.00 12:57:45 01073191500TRLO1 XLON
263 1292.00 13:02:43 01073192890TRLO1 XLON
100 1293.00 13:08:18 01073194469TRLO1 XLON
162 1293.00 13:08:18 01073194470TRLO1 XLON
280 1294.00 13:17:57 01073197703TRLO1 XLON
120 1294.00 13:17:57 01073197704TRLO1 XLON
151 1294.00 13:17:57 01073197705TRLO1 XLON
265 1292.00 13:18:02 01073197729TRLO1 XLON
31 1292.00 13:18:02 01073197730TRLO1 XLON
203 1292.00 13:19:01 01073198041TRLO1 XLON
38 1292.00 13:19:01 01073198042TRLO1 XLON
213 1291.00 13:26:43 01073200116TRLO1 XLON
43 1291.00 13:29:31 01073200863TRLO1 XLON
279 1291.00 13:31:00 01073201340TRLO1 XLON
216 1291.00 13:33:08 01073202106TRLO1 XLON
54 1291.00 13:33:08 01073202107TRLO1 XLON
268 1291.00 13:33:08 01073202108TRLO1 XLON
280 1290.00 13:35:02 01073202536TRLO1 XLON
272 1290.00 13:35:02 01073202537TRLO1 XLON
263 1290.00 13:41:22 01073204240TRLO1 XLON
133 1290.00 13:41:22 01073204242TRLO1 XLON
136 1290.00 13:41:22 01073204243TRLO1 XLON
256 1287.00 13:47:47 01073206001TRLO1 XLON
259 1285.00 13:48:33 01073206235TRLO1 XLON
1 1285.00 14:00:03 01073209839TRLO1 XLON
2 1285.00 14:00:04 01073209840TRLO1 XLON
5 1285.00 14:00:04 01073209841TRLO1 XLON
24 1285.00 14:00:04 01073209842TRLO1 XLON
240 1285.00 14:00:04 01073209843TRLO1 XLON
6 1284.00 14:00:18 01073209882TRLO1 XLON
264 1284.00 14:00:18 01073209883TRLO1 XLON
258 1284.00 14:00:18 01073209884TRLO1 XLON
274 1283.00 14:02:41 01073210618TRLO1 XLON
269 1283.00 14:02:41 01073210619TRLO1 XLON
268 1284.00 14:06:04 01073211525TRLO1 XLON
271 1284.00 14:06:04 01073211526TRLO1 XLON
258 1284.00 14:08:31 01073212197TRLO1 XLON
280 1285.00 14:20:06 01073215672TRLO1 XLON
145 1285.00 14:20:06 01073215673TRLO1 XLON
258 1286.00 14:26:21 01073217966TRLO1 XLON
125 1286.00 14:26:21 01073217968TRLO1 XLON
281 1288.00 14:30:37 01073224108TRLO1 XLON
279 1288.00 14:30:37 01073224111TRLO1 XLON
255 1286.00 14:31:45 01073227396TRLO1 XLON
271 1286.00 14:31:45 01073227398TRLO1 XLON
268 1283.00 14:35:12 01073233826TRLO1 XLON
259 1282.00 14:39:04 01073240157TRLO1 XLON
282 1282.00 14:39:04 01073240158TRLO1 XLON
97 1281.00 14:42:04 01073244318TRLO1 XLON
183 1281.00 14:45:00 01073247072TRLO1 XLON
49 1281.00 14:45:00 01073247073TRLO1 XLON
222 1281.00 14:45:04 01073247385TRLO1 XLON
183 1281.00 14:45:04 01073247387TRLO1 XLON
83 1281.00 14:45:26 01073247984TRLO1 XLON
269 1281.00 14:45:26 01073247985TRLO1 XLON
3 1279.00 14:48:38 01073252497TRLO1 XLON
3 1279.00 14:48:38 01073252499TRLO1 XLON
256 1279.00 14:48:38 01073252500TRLO1 XLON
258 1279.00 14:48:38 01073252501TRLO1 XLON
1 1276.00 14:51:38 01073255651TRLO1 XLON
271 1277.00 14:55:03 01073258759TRLO1 XLON
272 1277.00 14:55:03 01073258761TRLO1 XLON
262 1276.00 14:56:38 01073260087TRLO1 XLON
85 1276.00 14:59:50 01073263553TRLO1 XLON
350 1276.00 15:06:30 01073271079TRLO1 XLON

This announcement is made in accordance with the requirements of Listing Rule 12.4.6.

Vistry Group PLC

Clare Bates, General Counsel & Group Company Secretary
01675 437160

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END

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